AMETEK Financial Ratios for Analysis 2009-2024 | AME

Fifteen years of historical annual and quarterly financial ratios and margins for AMETEK (AME).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.981.621.362.341.421.461.702.091.581.691.571.321.681.772.28
0.180.220.240.280.310.350.320.390.320.310.270.310.350.380.38
0.380.320.370.410.540.620.540.720.600.530.450.570.620.660.66
36.1534.8834.4834.0034.6534.2533.4632.6734.1333.8435.3535.3934.5933.3531.57
25.8824.4023.5922.6422.8222.2021.0120.6022.8422.3422.6822.3721.2719.5117.44
25.8824.4023.5922.6422.8222.2021.0120.6022.8422.3422.6822.3721.2719.5117.44
31.0029.5928.8628.2627.3626.3125.2725.2826.6025.7925.9825.5324.1622.4620.57
24.3523.2322.0523.8420.7420.3818.5318.0520.2920.0120.1719.8718.6216.4414.04
19.9118.8517.8519.2216.7016.0515.8513.3414.8714.5314.3813.7712.8611.499.81
0.440.490.470.440.520.560.550.540.600.630.610.640.690.650.65
3.723.844.725.365.405.105.295.255.095.375.135.025.144.914.61
6.516.696.697.606.936.616.446.486.596.876.706.576.826.186.33
56.0454.5654.5748.0352.7055.2056.7256.3055.4153.1354.5055.5953.5059.0757.64
15.0415.5114.4114.6616.8418.3416.9215.7318.1518.0416.4918.1118.7315.9913.13
-69.75-93.65-57.05-97.02-50.82-43.85-61.88-39.50-52.52-58.44-69.29-46.72-52.21-50.70-88.63
8.749.338.328.428.758.988.747.218.879.108.808.858.907.436.34
12.3612.0310.8810.6011.6611.9411.569.6312.2912.5212.0912.5212.109.978.16
37.8032.5029.6625.8122.3316.0917.4214.2013.8213.4212.8010.428.537.366.46
7.504.964.985.544.863.983.593.242.782.942.682.512.091.751.50
6.914.364.515.224.413.623.272.972.502.652.432.271.881.591.37

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.261.110.981.862.161.841.621.531.481.431.361.261.102.262.341.882.471.881.422.052.171.911.462.061.711.691.701.591.801.762.091.391.411.291.581.721.931.791.691.911.361.541.571.791.831.521.321.491.261.541.682.091.802.081.772.012.132.222.282.142.342.25
0.160.170.180.180.210.220.220.230.240.240.240.250.260.270.280.290.330.340.310.310.340.350.350.290.300.310.320.340.370.380.390.310.310.320.320.330.300.300.310.300.250.260.270.280.290.300.310.320.330.340.350.340.350.360.380.390.380.380.380.400.430.45
0.290.330.380.260.270.290.320.330.360.370.370.400.470.380.410.490.520.610.540.500.530.550.620.420.490.520.540.650.670.710.720.640.640.670.600.580.480.510.530.470.470.430.450.440.450.500.570.570.660.620.620.540.610.580.660.660.650.670.660.710.740.83
35.9934.0735.5337.0936.0235.9834.5735.2634.7534.9534.6734.1034.1635.0735.7834.9833.8731.4134.2335.5135.0033.8934.3034.3734.5533.7632.6733.4334.0433.7728.9433.2634.5733.9627.5036.7336.8435.3729.0034.3236.3435.9035.2935.7235.4134.9835.3035.4935.6235.1735.7934.2834.1234.1334.1333.4133.1932.5031.4130.6631.1232.96
25.8024.0325.7127.0025.4425.3924.4924.7824.0924.2224.0223.4322.8424.1324.8624.0222.4319.3022.8123.5822.9122.0022.1822.2422.3422.0219.8221.2121.5621.5816.6821.2822.4022.0821.1423.8023.9422.4522.1721.1423.3922.7222.3423.0023.0622.3422.5722.4222.4022.1021.9421.2620.6821.1819.9919.9619.5318.4017.0415.5917.7519.21
25.8024.0325.7127.0025.4425.3924.4924.7824.0924.2224.0223.4322.8424.1324.8624.0222.4319.3022.8123.5822.9122.0022.1822.2422.3422.0219.8221.2121.5621.5816.6821.2822.4022.0821.1423.8023.9422.4522.1721.1423.3922.7222.3423.0023.0622.3422.5722.4222.4022.1021.9421.2620.6821.1819.9919.9619.5318.4017.0415.5917.7519.21
--------------------------------------------------------------
24.0421.9624.0925.4824.0823.7723.2823.6822.8823.0522.5622.1921.0422.4123.0822.0120.4029.2020.5421.4820.9919.9520.3520.5320.5320.1117.2818.8419.1019.0014.9318.4419.4919.3818.5121.1921.4320.0020.2618.4121.0420.4019.7820.2420.6919.9820.2919.7419.8919.5519.2718.5318.0918.5816.9616.8916.4315.3013.6711.9514.2916.03
19.4617.9119.8120.9719.7019.1418.8919.1818.6418.6818.7317.8716.7118.0318.4318.1516.4323.3416.9217.2916.7115.8616.6416.0316.0415.4620.8714.1514.1313.7911.2113.8314.1314.2113.8515.6615.4914.4414.8413.7415.1514.4114.4014.3714.6014.1814.2413.7513.7713.3213.3613.0512.4112.6011.9812.0111.3810.419.918.659.8710.68
0.120.120.120.120.130.130.130.130.130.120.130.120.120.110.120.110.100.110.130.140.140.140.150.150.150.150.150.140.140.140.140.140.140.140.150.150.150.160.160.160.150.160.160.160.170.170.160.170.170.180.180.180.180.180.180.180.180.170.160.160.170.18
1.011.020.990.940.950.921.020.981.021.101.281.291.281.311.381.251.081.261.371.321.321.331.341.261.291.301.421.321.301.261.401.171.191.141.391.171.171.261.471.291.171.291.351.271.291.321.271.331.281.361.291.361.371.351.331.291.251.231.151.101.111.09
1.781.761.711.731.761.771.771.771.711.711.811.871.841.792.011.831.631.691.751.681.701.691.731.671.701.711.711.691.661.671.641.591.641.561.641.641.621.661.751.741.671.651.761.671.691.671.661.701.711.771.741.771.731.651.701.651.611.561.581.421.471.47
50.6651.0052.6751.9551.2250.8050.9050.8352.5952.7349.6348.0048.9550.2344.8549.1055.1653.3251.3753.7252.8753.3451.8853.9452.9352.5452.6153.1754.3053.9454.7956.6854.9257.8454.9654.9855.5154.1751.4551.7653.9754.6751.2553.8153.4153.9554.3052.8552.6150.9651.7150.9652.1754.4853.0954.4955.8257.5956.9763.2261.1861.35
3.653.473.934.084.013.944.114.174.063.934.103.933.653.583.723.593.035.274.324.544.624.584.994.244.474.315.924.084.194.083.353.874.124.074.204.724.504.354.694.094.394.304.334.364.654.774.734.764.965.034.964.784.744.804.584.644.343.803.312.903.644.45
-27.81-20.05-18.21-80.97-50.08-30.74-24.80-22.69-19.37-13.71-16.23-13.09-10.21-25.13-24.58-18.12-12.43-18.49-13.03-19.84-16.77-13.41-11.92-22.41-18.27-15.62-21.66-11.47-9.99-9.44-8.42-10.43-11.16-9.81-12.16-14.13-17.82-16.11-15.20-17.08-17.72-18.73-18.18-18.03-18.39-14.93-12.20-13.90-11.85-13.94-13.84-21.02-17.00-19.22-14.51-15.11-24.50-24.19-22.35-14.34-14.60-15.98
2.282.092.282.602.532.422.472.472.362.282.372.201.972.072.131.961.612.652.242.392.382.302.442.362.382.253.061.972.001.901.541.871.991.922.052.352.372.242.372.162.312.312.312.342.472.422.312.362.332.392.362.382.272.322.132.162.061.801.601.361.661.94
3.052.873.233.343.163.083.193.233.102.983.102.932.692.622.692.562.023.482.993.113.062.993.253.013.142.974.052.702.632.532.052.662.822.772.853.173.153.033.262.873.283.183.173.143.313.353.273.253.333.323.213.143.073.052.852.822.712.342.061.752.092.45
39.9638.7437.8036.1535.0333.6632.5031.0630.2730.0229.6628.3527.4426.5125.8124.7923.8923.2122.3321.2920.4419.5616.0919.4418.7118.1617.4216.3015.5614.7914.2014.5814.4414.1213.8213.9414.2613.5113.4214.1013.9213.3412.8011.9911.2910.7710.429.989.459.088.538.538.207.807.366.956.486.386.466.125.895.49
3.411.777.505.153.121.674.963.311.890.864.983.772.451.225.543.872.541.174.863.361.930.863.982.701.630.763.592.501.470.623.242.191.450.642.781.961.170.502.942.071.280.652.681.831.160.642.511.721.060.582.091.460.900.431.751.220.750.381.501.060.760.46
3.201.656.914.822.911.594.362.961.660.754.513.482.281.155.223.712.421.104.413.101.740.763.622.491.510.713.272.301.350.562.972.021.340.592.501.771.060.442.651.881.160.592.431.681.070.592.271.580.970.541.881.330.810.381.591.130.700.361.370.970.700.43